Registration Statement No. 333-249829
Filed pursuant to Rule 424(b)(3)
Amendment dated June 3, 2022 to
Pricing Supplement No. 28, Pricing Supplement No. 29, Pricing Supplement No. 30, Pricing Supplement No. 31 and Pricing Supplement No. 33,
each dated November 3, 2020, to Prospectus Supplement and Prospectus, each dated November 3, 2020 and Prospectus Addendum dated
February 26, 2021 relating to the Aktiebolaget Svensk Exportkredit (publ) (Swedish Export Credit Corporation)
Medium-Term Note Program, Series G
Linked to the Rogers International Commodity Index®
— Energy Total ReturnSM
Due October 24, 2022
The following issuances involved scheduled settlement between May 6, 2022 and June 3, 2022:
Principal Amount | Purchase Price | Aggregate Offering Price | Settlement Date | ||||
$3,000,000 | 44.886% | $1,346,580 | May 11, 2022 | ||||
$500,000 | 47.285% | $236,425 | June 3, 2022 |
Linked to the Rogers International Commodity Index®
— Metals Total ReturnSM
Due October 24, 2022
The following issuances involved scheduled settlement between May 6, 2022 and June 3, 2022:
Principal Amount | Purchase Price | Aggregate Offering Price | Settlement Date | ||||
$500,000 | 118.58% | $592,900 | May 11, 2022 |
Linked to the Rogers International Commodity Index®
Agriculture — Total ReturnSM
Due October 24, 2022
The following issuances involved scheduled settlement between May 6, 2022 and June 3, 2022:
Principal Amount | Purchase Price | Aggregate Offering Price | Settlement Date | |||
$500,000 | 106.650% | $533,250 | May 10, 2022 | |||
$1,000,000 | 106.210% | $1,062,100 | May 11, 2022 | |||
$3,000,000 | 106.210% | $3,186,300 | May 11, 2022 | |||
$1,000,000 | 105.358% | $1,053,580 | May 12, 2022 | |||
$3,000,000 | 109.810% | $3,294,300 | May 23, 2022 | |||
$10,000,000 | 109.810% | $10,981,000 | May 23, 2022 | |||
$4,000,000 | 106.045% | $4,241,800 | June 1, 2022 | |||
$1,500,000 | 106.045% | $1,590,675 | June 1, 2022 | |||
$1,500,000 | 106.843% | $1,602,645 | June 3, 2022 |
Linked to the Rogers International Commodity Index®
— Total ReturnSM
Due October 24, 2022
The following issuances involved scheduled settlement between May 6, 2022 and June 3, 2022:
Principal Amount | Purchase Price | Aggregate Offering Price | Settlement Date | |||
$3,000,000 | 93.275% | $2,798,250 | May 11, 2022 | |||
$1,500,000 | 93.193% | $1,397,895 | June 1, 2022 |
Linked to ICE BofAML Commodity index eXtra (GRains)
—Total Return
Due February 14, 2023
The following issuances involved scheduled settlement between May 6, 2022 and June 3, 2022:
Principal Amount | Purchase Price | Aggregate Offering Price | Settlement Date | |||
$1,000,000 | 67.203% | $672,030 | May 23, 2022 | |||
$500,000 | 67.203% | $336,015 | May 23, 2022 | |||
$1,000,000 | 63.833% | $638,330 | June 1, 2022 |